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Portland General Electric POR Balance Sheet Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$8M-27.3%$76M+533%$137M+291%$56M+833%$11M-93.8%
$405M-14.4%$460M+0.9%$455M-0.9%$397M+3.1%$473M+14.8%
$109M-8.4%$96M+18.5%$61M+35.6%$74M-10.8%$119M+9.2%
$18M+38.5%$14M+27.3%$16M+45.5%$13M+30.0%$13M+30.0%
$130M+17.1%$124M+464%$124M+7.8%$123M+5.1%$111M-2.6%
$1.01B+3.7%$1.07B+4.6%$1.06B+11.5%$890M+5.0%$974M-10.0%
$11.1B+5.4%$10.99B+6.3%$10.8B+7.2%$10.65B+7.8%$10.53B+9.0%
$5.53B+6.5%$5.42B+6.6%$5.38B+8.0%$5.28B+6.7%$5.19B+7.0%
$16.16B+7.5%$16B+7.6%$15.76B+10.6%$15.2B+7.6%$15.03B+8.3%
$14M$0$14M
$464M-2.5%$468M-2.1%$472M+184%$488M+179%$476M+178%
$243M+48.2%$168M-18.0%$207M+11.9%$188M+13.9%$164M-7.3%
$471M-32.0%$416M-26.6%$422M-47.4%$718M+4.1%$693M+10.4%
$13.2B+4.0%$13.23B+5.5%$13.01B+9.5%$12.68B+9.5%$12.7B+9.6%
$277M-1.4%$330M-9.6%$276M-21.4%$267M+3.1%$281M-2.8%
$60M+7.1%$87M-78.8%$80M+6.7%$65M+16.1%$56M+12.0%
$9M-86.8%$0$68M$68M$68M
$27M0.0%$27M0.0%$27M+3.8%$27M+12.5%$27M+17.4%
$32M0.0%$38M+5.6%$60M+7.1%$29M+3.6%$32M+10.3%
$53M-1.9%$53M+8.2%$54M0.0%$53M+10.4%$54M-6.9%
$61M+7.0%$63M+10.5%$61M+13.0%$60M+13.2%$57M+14.0%
$929M+0.8%$993M-11.3%$985M+1.3%$913M+7.4%$922M+4.2%
$4.66B-0.1%$4.66B+7.1%$4.66B+7.1%$4.66B+7.1%$4.66B+7.1%
$259M-5.1%$263M-4.7%$266M-4.7%$270M-4.6%$273M-4.2%
$301M+2.7%$299M+2.4%$293M+7.3%$293M+6.9%$293M+7.3%
$384M+7.6%$362M+1.1%$359M+270%$352M+259%$357M+261%
$80M-1.2%$74M+39.6%$61M+10.9%$72M+30.9%$81M+62.0%
$240M+36.4%$214M-2.3%$176M-6.4%$155M-22.5%$176M-8.8%
$0$0$0$0$0
160M0.0%160M-92.4%160M0.0%160M0.0%160M0.0%
$1.74B+0.8%$1.76B+4.5%$1.77B+4.5%$1.73B+4.5%$1.73B+5.5%
-$4M0.0%-$4M0.0%-$3M+40.0%-$4M0.0%-$4M0.0%
$4.12B+7.2%$4.13B+8.9%$3.95B+8.8%$3.85B+10.6%$3.84B+11.1%
$13.2B+4.0%$13.23B+5.5%$13.01B+9.5%$12.68B+9.5%$12.7B+9.6%
$13M0.0%$13M+8.3%$14M+27.3%$14M+27.3%$13M+18.2%
$13M0.0%$13M+8.3%$14M+27.3%$14M+27.3%$13M+18.2%
$130M+17.1%$124M+464%$124M+7.8%$123M+5.1%$111M-2.6%
$71M+1.4%$116M-7.2%$59M-35.2%$40M-27.3%$70M+7.7%
$224M+4.2%$244M+2.5%$136M-12.8%$126M-28.0%$215M+5.9%
$3M-57.1%$1M-50.0%$4M+300%$21M+110%$7M-12.5%
$143M+5.9%$180M+1.7%$151M+11.0%$142M+3.6%$135M+2.3%
$464M-2.5%$468M-2.1%$472M+184%$488M+179%$476M+178%
$3M-57.1%$1M-50.0%$4M+300%$21M+110%$7M-12.5%
$35M+2.9%$36M+5.9%$36M0.0%$35M-2.8%$34M-5.6%
$464M-2.5%$468M-2.1%$472M+184%$488M+179%$476M+178%
$16.63B+5.8%$16.41B+6.4%$16.18B+7.5%$15.92B+7.5%$15.72B+8.4%
$11.1B+5.4%$10.99B+6.3%$10.8B+7.2%$10.65B+7.8%$10.53B+9.0%
$464M-2.5%$468M-2.1%$472M+184%$488M+179%$476M+178%
$40M-9.1%$42M+40.0%$44M+25.7%$42M+27.3%$44M+46.7%
$60M+7.1%$87M+8.8%$80M+6.7%$65M+16.1%$56M+12.0%
$167M+53.2%$158M+7.5%$133M+16.7%$112M-21.1%$109M-20.4%
$60M+7.1%$87M+8.8%$80M+6.7%$65M+16.1%$56M+12.0%
$449M+2.7%$478M+16.6%$481M+20.0%$439M+27.2%$437M+22.8%
$39M-64.2%$41M-72.1%$133M+16.7%$112M-21.1%$109M-20.4%
$68M-6.8%$70M-5.4%$70M-7.9%$71M-6.6%$73M-6.4%
$21M+31.3%$17M+13.3%$17M+13.3%$15M0.0%$16M+6.7%
$73M+9.0%$56M-22.2%$43M-41.9%$43M-25.9%$67M+19.6%
$68M-6.8%$70M-5.4%$70M-7.9%$71M-6.6%$73M-6.4%
$68M-6.8%$70M-5.4%$70M-7.9%$71M-6.6%$73M-6.4%
$4.95B-1.6%$5.26B+5.8%$5.02B+7.8%$5.03B+7.9%$5.03B+7.9%
$623M+4.7%$601M+6.6%$572M+3.6%$606M+12.2%$595M+11.4%
115.7M+5.7%115.6M+5.7%110.7M+5.0%109.6M+6.3%109.5M+6.3%
30M0.0%30M0.0%30M0.0%30M0.0%30M0.0%
00000
00000
$2.39B+12.4%$2.38B+12.5%$2.18B+12.4%$2.13B+16.0%$2.12B+16.1%
$0$0$0$0$0
$16.63B+5.8%$16.41B+6.4%$16.18B+7.5%$15.92B+7.5%$15.72B+8.4%
$13M0.0%$13M+8.3%$14M+27.3%$14M+27.3%$13M+18.2%
$39M+85.7%$29M+61.1%$14M+27.3%$10M-58.3%$21M+5.0%
$5M0.0%$3M-78.6%$2M-77.8%$2M-84.6%$5M-44.4%
$42M+68.0%$30M+57.9%$14M+27.3%$13M-59.4%$25M-3.8%
$5M-37.5%$3M-80.0%$6M-40.0%$20M+33.3%$8M-27.3%
$3M-25.0%$1M0.0%$0$3M-62.5%$4M-33.3%
$59M+1.7%$50M-10.7%$41M-8.9%$48M-29.4%$58M-4.9%
$181M+53.4%$164M+0.6%$135M-5.6%$107M-18.9%$118M-10.6%
$21M-8.7%$19M-40.6%$16M-38.5%$23M-55.8%$23M-47.7%
$146M+69.8%$139M+20.9%$117M+33.0%$89M-1.1%$86M-7.5%
$38M+8.6%$31M+29.2%$25M+31.6%$25M+56.3%$35M+106%
$35M+9.4%$25M-47.9%$18M-67.3%$18M-57.1%$32M-17.9%
$0.00$0.00$0.00$0.00$0.00
$160M0.0%$160M0.0%$160M0.0%$160M0.0%$160M0.0%
$115.73M+5.7%$115.56M+5.7%$110.72M+5.0%$109.56M+6.3%$109.5M+6.3%
$115.73M+5.7%$115.56M+5.7%$110.72M+5.0%$109.56M+6.3%$109.5M+6.3%
$44M+69.2%$32M0.0%$16M-20.0%$12M-67.6%$26M-10.3%
$167M+53.2%$158M+7.5%$133M+16.7%$112M-21.1%$109M-20.4%
$623M+4.7%$601M+6.6%$572M+3.6%$606M+12.2%$595M+11.4%
$193M$194M$195M
$3M-57.1%$1M-50.0%$4M+300%$21M+110%$7M-12.5%
$47M+42.4%$33M-2.9%$20M-4.8%$33M-29.8%$33M-10.8%
$73M+9.0%$56M-22.2%$43M-41.9%$43M-25.9%$67M+19.6%
$240M+36.4%$214M-2.3%$176M-6.4%$155M-22.5%$176M-8.8%
$27M0.0%$27M0.0%$27M+3.8%$27M+12.5%$27M+17.4%
$642M+1.9%$622M+1.8%$667M+12.3%$649M+9.1%$630M+9.4%
$4.27B+1.2%$4.31B+8.8%$4.43B+22.5%$4.25B+23.0%$4.22B+6.6%
$10M+25.0%$7M0.0%$9M+28.6%$7M0.0%$8M+14.3%
$48M+23.1%$40M+17.6%$35M-43.5%$31M-31.1%$39M-9.3%
$73M+9.0%$56M-22.2%$43M-41.9%$43M-25.9%$67M+19.6%
$139M-4.8%$143M+10.0%$160M+49.5%$155M+47.6%$146M+28.1%
$30M0.0%$30M0.0%$30M0.0%$30M0.0%$30M0.0%
$0$0$0$0$0
$0$0$0$0$0
$44M+69.2%$32M0.0%$16M-20.0%$12M-67.6%$26M-10.3%
$21M+31.3%$17M+13.3%$17M+13.3%$15M0.0%$16M+6.7%
$143M+5.9%$180M+1.7%$151M+11.0%$142M+3.6%$135M+2.3%
$20M-25.9%$25M+56.3%$25M+25.0%$25M+31.6%$27M+68.8%
232M+17.2%224M+12.6%224M+13.7%221M+14.5%198M-1.0%
0-100%1M-50.0%0-100%0-100%2M-50.0%
$3M-91.4%$9M-73.5%$15M-16.7%$18M-28.0%$35M+59.1%

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Questions, answered.

What are Portland General Electric's total assets?
Portland General Electric (POR) holds $13.2B in total assets, up 4.0% year over year.
How much debt does Portland General Electric have?
Portland General Electric carries $5.0B in total debt against $4.1B of shareholders' equity, a debt-to-equity ratio of 1.20.
How much cash does Portland General Electric have?
Portland General Electric holds $8.0M in cash and equivalents.
Can Portland General Electric cover its short-term obligations?
Its current ratio is 1.09 — current assets exceed current liabilities.
Where does Portland General Electric's balance sheet data come from?
Every line is extracted from Portland General Electric's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.